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RoM Invest ApS — Credit Rating and Financial Key Figures

CVR number: 40033424
Damsbovej 12, 5492 Vissenbjerg

Income statement (kDKK)

2021
2022
2023
2024
2025
Fiscal period length1212121212
Net sales
Gross profit38 213.1518 508.0924 747.4125 341.0439 063.35
Costs of management-23 746.11-22 717.06-23 413.82-23 447.77-24 521.77
Costs of distribution-8 787.60-10 061.17-12 202.29-12 618.04-10 002.58
EBIT5 679.44-14 270.14-10 868.70-10 724.774 539.01
Other financial income64.0745.28394.0826.6028.75
Other financial expenses-2 936.91-2 776.13-6 676.27-9 264.18-8 063.01
Pre-tax profit2 806.61-17 000.99-17 150.88-19 962.34-3 495.25
Income taxes-2 675.761 387.421 433.632 096.79-1 527.12
Net earnings130.85-15 613.58-15 717.26-17 865.56-5 022.38

Assets (kDKK)

2021
2022
2023
2024
2025
Development expenditure3 871.422 319.033 986.593 631.173 455.67
Intangible rights798.68707.70263.18104.3319.51
Goodwill117 708.98107 162.3396 615.6786 069.0275 522.36
Intangible assets total122 379.09110 189.06100 865.4489 804.5278 997.55
Buildings2 312.471 674.591 629.561 031.63722.17
Machinery and equipment752.25543.76381.51325.78316.74
Tangible assets total3 064.722 218.352 011.081 357.411 038.91
Investments total
Long term receivables total
Semifinished products13 768.9816 161.4214 325.268 188.0211 880.14
Raw materials and consumables18 527.2919 150.8318 027.7315 099.2618 474.92
Inventories total32 296.2735 312.2432 352.9923 287.2830 355.06
Current trade debtors15 266.8613 383.6518 809.4210 967.736 309.36
Current amounts owed by group member comp.22.8021.58
Prepayments and accrued income897.391 901.701 610.901 158.132 958.30
Current other receivables17 327.0928 662.0714 246.3223 691.4016 893.94
Current deferred tax assets395.9987.172 183.95656.83
Short term receivables total33 491.3444 343.4034 753.8138 024.0126 840.01
Cash and bank deposits21 347.834 080.293 766.57681.911 209.15
Cash and cash equivalents21 347.834 080.293 766.57681.911 209.15
Balance sheet total (assets)212 579.25196 143.34173 749.89153 155.14138 440.67

Equity and liabilities (kDKK)

2021
2022
2023
2024
2025
Share capital10 000.0010 000.0010 000.0010 000.0010 000.00
Retained earnings82 854.3677 178.8762 416.5946 699.3428 833.78
Profit of the financial year130.85-15 613.58-15 717.26-17 865.56-5 022.38
Shareholders equity total92 985.2171 565.2956 699.3438 833.7833 811.40
Provisions5 787.213 214.241 588.281 914.782 282.57
Non-current loans from credit institutions60 256.0158 883.5024 918.00
Non-current owed to group member1 400.005 414.586 284.99
Non-current deferred tax liabilities10 623.424 292.074 419.094 479.044 235.19
Non-current liabilities total70 879.4363 175.575 819.099 893.6235 438.18
Current loans from credit institutions381.0924 730.6476 072.8574 607.8024 448.82
Advances received288.471 507.52328.61238.50629.41
Current trade creditors20 957.6416 767.2019 577.4215 802.0522 816.25
Current owed to group member4 200.007 000.00
Short-term deferred tax liabilities4 530.603 422.34
Other non-interest bearing current liabilities15 352.5410 242.988 954.776 566.416 652.16
Accruals and deferred income1 417.081 517.564 709.541 098.205 361.87
Current liabilities total42 927.4158 188.25109 643.19102 512.9666 908.52
Balance sheet total (liabilities)212 579.25196 143.34173 749.89153 155.14138 440.67
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